Chartered Accountant
AIRIQ 365
Job Description
Job Description
Job Title: Chartered Accountant (CA)
\nCompany: AIRIQ 365 Ltd.
\nLocation: Siliguri, West Bengal
\nDepartment: Finance & Accounts
\nEmployment Type: Full-Time
\nExperience: Freshers or 1+ Years of Relevant Experience
\nQualification: Chartered Accountant (CA) โ ICAI Qualified
\nAbout AIRIQ 365 Ltd.
\nAIRIQ 365 Ltd. is a fast-growing technology-driven organization operating across the Travel Technology, Hospitality, Aviation, and Digital Solutions sectors. We are seeking a dynamic and detail-oriented Chartered Accountant to strengthen our Finance & Accounts function and support strategic business growth.
\nKey Responsibilities:
\nFinancial Reporting & Accounting
\n- \n
- Prepare and finalize monthly, quarterly, and annual financial statements in compliance with applicable Accounting Standards and statutory requirements. \n
- Ensure timely month-end and year-end closing of books. \n
- Monitor General Ledger, Accounts Payable, Accounts Receivable, and Fixed Assets. \n
- Oversee bank reconciliations and cash flow management. \n
Taxation & Statutory Compliance
\n- \n
- Ensure timely filing of GST, TDS, Income Tax, and other statutory returns. \n
- Handle GST reconciliations, assessments, notices, and departmental queries. \n
- Coordinate with statutory authorities for tax-related matters. \n
- Ensure compliance with the Companies Act, Income Tax Act, GST regulations, and other applicable statutory requirements. \n
Audit & Compliance
\n- \n
- Coordinate Statutory Audit, Internal Audit, Tax Audit, and other regulatory audits. \n
- Prepare audit schedules, supporting documents, and management responses. \n
- Implement and strengthen internal financial controls and compliance frameworks. \n
- Ensure adherence to accounting policies and financial governance. \n
Financial Planning & Analysis
\n- \n
- Prepare budgets, financial forecasts, and variance analysis. \n
- Analyze business performance and profitability across business units. \n
- Prepare MIS reports and present financial insights to senior management. \n
- Support strategic financial planning and business decision-making. \n
Treasury & Working Capital Management
\n- \n
- Monitor cash flow, liquidity, and working capital requirements. \n
- Manage banking relationships and financial documentation. \n
- Optimize fund utilization and oversee payment cycles. \n
Team Management
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- Coordinate with the Finance & Accounts team to ensure accurate and timely financial reporting. \n
- Review accounting entries and maintain financial data accuracy. \n
- Contribute to process improvements and finance automation initiatives. \n
Required Skills:
\n- \n
- Strong knowledge of Accounting Standards, GST, Income Tax, TDS, ROC compliance, and the Companies Act. \n
- Understanding of Financial Reporting, Budgeting, MIS, and Financial Analysis. \n
- Hands-on knowledge of ERP/Tally Prime and Microsoft Excel (Advanced Excel preferred). \n
- Strong analytical, problem-solving, and decision-making skills. \n
- Excellent communication and interpersonal skills. \n
- High level of integrity, ownership, and attention to detail. \n
Preferred Qualifications:
\n- \n
- Qualified Chartered Accountant (ICAI). \n
- Freshly Qualified CAs are encouraged to apply. \n
- Candidates with 1+ years of relevant experience in Corporate Finance & Accounts will have an added advantage. \n
- Experience in the Hospitality, Travel, Aviation, Technology, or Service Industry is preferred. \n
- Exposure to handling statutory compliances, audits, taxation, and multiple business entities will be an added advantage. \n
What We Offer:
\n- \n
- Competitive salary based on qualifications and experience. \n
- Opportunity to work with a rapidly growing organization. \n
- Exposure to multi-business finance operations. \n
- Collaborative and performance-driven work environment. \n
- Excellent learning and career growth opportunities. \n